
at J.P. Morgan
Bulge Bracket Investment BanksPosted 8 days ago
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**Trade Lifecycle Associate I - Manage Cash Movements & Drive Process Improvements at JPMorganChase** As Trade Lifecycle Associate I at JPMorganChase, you'll oversee the pre- and post-trade lifecycle across all asset classes. Utilize cash movements, funding, and coordination skills to ensure seamless trade processing on our platforms. Your role involves diverse activities, requiring strong analysis, stakeholder management, and process improvement skills. Leverage your proficiency in trade lifecycle principles, process improvement methodologies, and automation technologies to optimize operations and drive strategic projects. applicant with 2+ years of experience in managing cash movements and ledger reconciliation is preferred. Familiarity with SWIFT, Cross Border Payments, and Global Custody is a plus. Join JPMorganChase to manage funding, drive process enhancements, and build your career in trade lifecycle operations.
- Compensation
- Not specified USD
- City
- Newark
- Country
- United States
Currency: $ (USD)
Full Job Description
Location: Newark, DE, United States
As a Trade Lifecycle Associate I within JPMorganChase, you will play a pivotal role in managing the operations of the pre- and post-trading life cycle across all asset classes. Your expertise in cash movements, funding, and coordination with other business lines will ensure seamless trade processing on our platforms. You will leverage your broad knowledge of trade lifecycle principles and practices to propose and implement improvements to our current working methods. Your role will involve diverse activities requiring analysis and judgement within defined boundaries, and you will often be responsible for guiding the work of others. Your proficiency in listening and questioning, internal stakeholder management, presentation skills, process improvement, and automation will be key to your success in this role. You will also have the opportunity to develop your data and tech literacy skills while working with us.
Job responsibilities
- Prepare and manage funding for managed demand deposit accounts (DDAs), ensuring proper allocation of wires to client/funding accounts within the appropriate threshold.
- Participate in the reconciliation of ledgers through detailed investigation using various systems and tools, contributing to the accuracy and integrity of financial data.
- Collaborate with other lines of business to facilitate proper funding, establishing productive working relationships to drive mutually beneficial outcomes.
- Contribute to the review and improvement of end-to-end trade lifecycle processes, applying knowledge of process improvement methodologies to optimize operations.
- Support strategic projects in partnership with Product, Tech, and Change partners, applying change management skills to ensure seamless adoption of new processes and technologies.
- Understand Risk Management and should be able to manage the issues exceptions above materiality thresholds for resolution.
- Ensure all day-to-day queries dealt with within required SLAs and escalate issues to the team leader.
- Perform root cause analysis for their respective clients to increase Straight Through Processing (STP) and reduce client inquiries.
- 2+ years of experience or equivalent expertise in managing cash movements and preparing funding for managed demand deposit accounts (DDAs).
- Demonstrated proficiency in using various systems and tools for financial data reconciliation and ledger management.
- Advanced skills in process improvement methodologies, with a track record of optimizing operations in a financial services environment.
- Experience in managing strategic projects in partnership with Product, Tech, and Change partners, with a focus on change management and stakeholder engagement.
- Proficiency in automation technologies and systems architecture, with a focus on implementing automation optimization and initiatives in a trading environment.
- Exposure to business intelligence tools (I.E. Tableau, Alteryx, UiPath, OwlDQ); comfortable working with data.
- Prior custody/treasury operation services, markets operational experience.
- Understanding of SWIFT, Cross Border Payments, Foreign Exchange, Trade life cycle, Reconciliation rules and Global Custody.
- Self-starter, ability to learn quickly, Strong leadership skills with focus to mitigate risks and taking proactive approach to ensure Best in Class results.




